Author: Jeff Erez

Erez Law filed three claims against UBS Financial Services Inc. and brokers Christopher Black (CRD# 2186558) and William Huthnance (CRD# 4326519) related to the UBS Financial Services Inc. Yield Enhancement Strategy (YES). Christopher Black was a registered representative of … Continue reading

Erez Law is currently investigating Credit Suisse and its brokers who unsuitably recommended Credit Suisse contingent convertible bonds (CoCo bonds) to their clients, resulting in investment losses related to due diligence failures in AG bonds, including: Credit Suisse 7.500% Perpetual … Continue reading

Erez Law is currently investigating former Kalos Capital, Inc. broker Joseph Roop (CRD# 2774470) regarding unsuitable investment recommendations. He has been registered with Dempsey Lord Smith, LLC in Belmont, North Carolina, from 2019 to 2021. Previously, he was registered with … Continue reading

Former Raymond James Financial Services, Inc. broker William Winchester III (CRD# 4404327) was barred by FINRA. He was registered with Cadaret, Grant & Co., Inc. in Chattanooga, Tennessee, from 2020 to 2012 and prior to then with Raymond James Financial … Continue reading

Were you the victim of Infinex Investments, Inc. broker Eric Garcia (CRD# 5909532)? He has been registered with Infinex Investments, Inc. in Coral Gables, Florida, since 2016. Eric Garcia Customer Complaints He has been the subject of one customer complaint … Continue reading

Were you the victim of Berthel, Fisher & Company Financial Services, Inc. broker Brian Cantel (CRD# 1743229) regarding unsuitable investment recommendations? He has been registered with Berthel, Fisher & Company Financial Services, Inc. in Flowery Branch, Georgia, since 2006. Brian … Continue reading

Cambridge Investment Research, Inc. broker Todd Bailey (CRD# 6092793) is accused of stock losses. He has been registered with Cambridge Investment Research, Inc. in Cary, North Carolina, since 2013. Todd Bailey Customer Complaints He has been the subject of one … Continue reading

In May 2023, former clients of Oppenheimer & Co., Inc. won an award in a FINRA arbitration for $6.9 million in compensatory damages plus interest until the date of payment of the award as well as $6.9 million in punitive … Continue reading

Stifel, Nicolaus & Company, Incorporated and former broker Joseph Crespi (CRD# 1110919) were ordered to pay more than $3 million in fines and restitution to harmed investors who suffered investment losses; due to predatory sales practices. He was registered with … Continue reading

There are options for clients of former Centaurus Financial, Inc. broker Otto Bohon Jr. (CRD# 5677597), who is accused of GWG Holdings Inc. investment losses. He has been registered with Centaurus Financial, Inc. in Tucson, Arizona, from 2012 to 2020. … Continue reading